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News & Views



Weekly Market Review - 02-06-2025
Markets gained ground last week, led by tech stocks as nVidia's earnings impressed. Despite a dip in U.S. GDP, investor sentiment held firm amid tame inflation data and rising consumer spending. In Europe, ECB speculation stirred debate, while escalating U.S.-China trade tensions returned to the spotlight. Plus, Google backs a major ESG water-saving project. Here's your essential market breakdown for the week ending 2nd June 2025.
Jun 23 min read


Weekly Market Review - 27-05-2025
Trade tensions dominated headlines this week as President Trump extended EU tariff talks amid threats of a 50% levy. UK markets remained resilient despite sharp inflation rises, while US indices fell on renewed economic concerns. Plus: Meta’s latest renewable energy deal, a surge in silver prices, and new military developments in South Asia.
May 273 min read


ESG in 5 - Market Update & Sustainability News - 21-05-2025
Discover how leading global brands like Microsoft, Google, Air New Zealand, and L’Oréal are stepping up their sustainability commitments—through carbon removal, climate targets, and green innovation.
May 212 min read


Weekly Market Review - 19-05-2025
Markets rallied this week with gains in the Nasdaq 100 and S&P 500, while the Dow dipped slightly. Moody’s downgraded the US credit rating amid concerns over rising debt. Inflation showed modest signs of easing, though uncertainty remains. The ECB may cut rates as trade tensions pose risks, while New York launched a $1 billion climate initiative. Wheat prices rose on favorable weather, and trade negotiations remain a key focus.
May 193 min read


Weekly Market Review - 29-04-2025
IMarkets rallied following a shift in U.S. trade rhetoric, boosting equities across the board. This week’s review explores the impact of easing tensions, inflation expectations, and central bank commentary. We also highlight major moves in commodities, ESG investment news from United Airlines, and the latest geopolitical developments involving Ukraine and Russia. Get insights into what’s ahead for markets with GDP and inflation data due in the coming days.
Apr 294 min read


March Monthly Market Review
Global markets stumbled in March amid rising inflation expectations and renewed trade tensions. The Balanced portfolio returned -2.09% as U.S. tariffs sparked fears of a trade war, prompting caution among investors. While Europe cut interest rates and inflation cooled slightly in the UK, pressure remains on central banks. Equity markets were volatile, with tech and key Asian markets underperforming, while some financial sectors showed resilience.
Apr 23 min read


Weekly Market Review - 17-03-2025
This week’s review highlights a mixed performance across major markets, a surprise GDP dip in the UK, moderating U.S. inflation, and central bank caution. We also explore key ESG developments, including big tech's nuclear energy pledge, and rising geopolitical tensions as Trump prepares peace talks with Putin. Plus, what to watch ahead of key Fed and Bank of England decisions.
Mar 174 min read


February Monthly Market Review
Markets trended sideways in February amid rising inflation and geopolitical uncertainty. The Balanced portfolio returned -0.37% as UK and EU rate cuts contrasted with the US Fed’s cautious stance. Inflation rose across regions, with UK CPI hitting 3.00% and the ECB reassuring that disinflation remains on track. While developed and emerging markets showed mixed performance, China led gains. Volatility persists, but history suggests potential progress as the year unfolds.
Mar 34 min read
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